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JPMorgan Chase & Co. (NYSE: JPM) is a leading global financial services firm with assets of $2.7 trillion and operations worldwide. The firm is a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing, and asset management.
The Chief Investment Office (CIO) Portfolio, within the Treasury & Chief Investment Office, is a global investment portfolio used to manage the firm's interest rate risk, liquidity and currency exposure. The portfolio strategically invests the firm's excess cash in a wide range of fixed income products, including corporate bonds, asset- and mortgage-backed securities, municipal bonds, and government bonds.
The group is currently seeking an unsecured corporate credit analyst with investing and/or trading experience. This New York based role reports to the head of municipal and unsecured corporate credit and supports the regular functions of the portfolio management team. The analyst is expected to have a solid understanding of investment grade corporate credit fundamentals, valuation and execution. The analyst will interact with portfolio managers across fixed income sectors as well as various internal functions including Strategy, Risk, Finance, and Middle Office. The scope of the position requires 3 years of experience and a combination of strong qualitative and quantitative skills.
Covering specific corporate sectors and issuers for both direct investment opportunities and insights into fundamental bottoms up credit trends and broader portfolio impacts.
Tracking daily primary and secondary market activity, and providing a recurring recap to the unsecured credit and broader portfolio management teams.
Following and presenting noteworthy market developments (e.g. changing buyer base, changing issuance patterns, management behavior, noteworthy credit situations, etc.).
Reading and summarizing noteworthy weekly research pieces.
Helping build out an investment framework for investment grade credit.
Helping put together presentations for the portfolio management team.
Required Experience & Skillsets:
Strong grasp of fixed income markets.
Ability to perform financial statement analysis and build corporate credit templates.
Ability to effectively collaborate and establish strong working relationships in a team-based environment with other groups.
Intellectual curiosity and enthusiasm to understand other fixed income asset classes.
PowerPoint & Excel modeling skills.
Strong communication skills.
Internal Number: 6581927
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